To hold a first degree in a quantitative discipline, e.g. Mathematics, Physics, Engineering, Finance, and probably a Masters or PhD.
- Experience in financial modeling and/or model validation.
- Hands-on experience of risk and capital modeling, derivatives pricing and broader financial modeling is desirable
- Communicate effectively with senior stakeholders
- Experience of managing/leading teams, ideally in the context of model validation and/or financial modeling.
- Looking out for the candidates who are passed out from Top Institutes only.
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